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Journal of Multinational Financial Management
1997 - 2024
Current editor(s): I. Mathur and G. G. Booth From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
2010, volume 20, articles 4-5
- Corporate governance and long run performance of seasoned equity issuers pp. 159-177
- Wassim Dbouk and Ahmad Ismail
- Cross-listing effect on information environment of foreign firms: ADR type and country characteristics pp. 178-196
- Hei Wai Lee and Magali Valero
- The short-run underpricing of initial public offerings in the Sri Lankan stock market pp. 197-213
- Lalith P. Samarakoon
- Exchange-traded funds, persistence in tracking errors and information dissemination pp. 214-234
- Sangheon Shin and Gokce Soydemir
- Integrated foreign exchange risk management: The role of import in medium-sized manufacturing firms pp. 235-250
- Tom Aabo, Esben Høg and Jochen Kuhn
- Settling the debate on multinational capital structure using the CEPR measure pp. 251-271
- Andres Ramirez and Chuck C.Y. Kwok
2010, volume 20, articles 2-3
- Asymmetric investor behavior between buyside and sellside: Evidence from investor classes in the Sri Lankan stock market pp. 93-113
- Lalith P. Samarakoon
- An empirical analysis of European stock repurchases pp. 114-125
- Chun I. Lee, Demissew Diro Ejara and Kimberly C. Gleason
- The role of institutional investors in the inventory and cash management practices of firms in Asia pp. 126-143
- Rashid Ameer
- Foreign issuers in the U.S. PIPE market pp. 144-157
- K. Stephen Haggard and Ying Jenny Zhang
2010, volume 20, articles 1
- Identifying patterns of outward foreign direct investments: Some empirical evidence pp. 1-13
- Victoria Kravtsova
- Is Japanese management superior? Evidence from the performance of the USA targets in partial acquisitions pp. 14-34
- Stanko Racic
- Correlation dynamics of global industry portfolios pp. 35-47
- Miguel Ferreira and Paulo M. Gama
- Foreign ownership restrictions and cross-border markets for corporate control pp. 48-70
- Sviatoslav A. Moskalev
- The decision to list abroad: The case of ADRs and foreign IPOs by Chinese companies pp. 71-92
- Cinder Xinde Zhang and Tao-Hsien Dolly King
2009, volume 19, articles 5
- Does national culture affect international corporate cash holdings? pp. 323-342
- Kiyoung Chang and Abbas Noorbakhsh
- Financial sector diversification and MNC valuation pp. 343-354
- Chansog Francis Kim, Speros Margetis and Chris Pantzalis
- Who benefits from bond tender offers in Europe? pp. 355-369
- Abe de Jong, Peter Roosenboom and Willem Schramade
- On institutional ownership and firm performance: A disaggregated view pp. 370-394
- Prasad Bhattacharya and Michael A. Graham
- Transmission of shocks from cross-listed markets to the return and volatility of domestic stocks pp. 395-408
- Ameeta Jaiswal-Dale and Thadavillil Jithendranathan
- Stock market liberalization and return volatility: Evidence from the emerging market of Sri Lanka pp. 409-423
- Fazeel M. Jaleel and Lalith P. Samarakoon
2009, volume 19, articles 4
- The role of information asymmetries and inflation hedging in international equity portfolios pp. 237-255
- Maela Giofre'
- Managing mutual funds or managing expense ratios? Evidence from the Greek fund industry pp. 256-272
- Vassilios Babalos, Alexandros Kostakis and Nikolaos Philippas
- Cultural practices and life insurance consumption: An international analysis using GLOBE scores pp. 273-290
- Andy C. W. Chui and Chuck C.Y. Kwok
- What is the relationship between investor protection legislation and target takeover returns? Evidence from Europe pp. 291-305
- Hamish Anderson, Ben Marshall and Ryan Wales
- Does the law of one price hold better under a flexible exchange rate system? pp. 306-322
- Sung C. Bae, Mingsheng Li and Jing Shi
2009, volume 19, articles 3
- Nonlinear dynamics in foreign exchange excess returns: Tests of asymmetry pp. 179-192
- Riza Emekter, Benjamas Jirasakuldech and Sean M. Snaith
- Changes in risk of foreign firms listed in the U.S. following Sarbanes-Oxley pp. 193-205
- Aigbe Akhigbe, Anna D. Martin and Takeshi Nishikawa
- Market liberalization and foreign equity portfolio selection in Korea pp. 206-220
- Jaemin Kim and Sean Sehyun Yoo
- Earnings management to exceed thresholds: Evidence from Singapore and Thailand pp. 221-236
- Charlie Charoenwong and Pornsit Jiraporn
2009, volume 19, articles 2
- Benefits of international diversification with investment constraints: An over-time perspective pp. 93-110
- Wan-Jiun Paul Chiou
- Stock market valuation of R&D spending of firms acquiring targets from technologically abundant countries pp. 111-126
- Elina Pyykkö
- Daylight saving effect pp. 127-138
- Luisa Müller, Dirk Schiereck, Marc W. Simpson and Christian Voigt
- Trading volume, time-varying conditional volatility, and asymmetric volatility spillover in the Saudi stock market pp. 139-159
- Abdullah Alsubaie and Mohammad Najand
- Benefits of diversifying investments into emerging markets with time-varying correlations: An Australian perspective pp. 160-177
- Rakesh Gupta and Gabriel Donleavy
2009, volume 19, articles 1
- Corporate governance and merger and acquisition (M&A) FDI: Firm-level evidence from Japanese FDI into the US pp. 1-11
- Joseph Alba, Donghyun Park and Peiming Wang
- Stock splits in a neutral transaction cost environment: Evidence from the Athens Stock Exchange pp. 12-25
- George Leledakis, George J. Papaioannou, Nickolaos G. Travlos and Nickolaos V. Tsangarakis
- Debt maturity structure and the 1997 Asian financial crisis pp. 26-42
- Rataporn Deesomsak, Krishna Paudyal and Gioia Pescetto
- Dynamic linkages among equity markets in the Middle East and North African countries pp. 43-53
- Yaser A. Alkulaib, Mohammad Najand and Ahmad Mashayekh
- What drives acquisitions?: Market valuations and bidder performance pp. 54-74
- Dimitris Petmezas
- The Italian hedge funds industry: An empirical analysis of performance and persistence pp. 75-91
- Roberto Steri, Marco Giorgino and Diego Viviani
2008, volume 18, articles 5
- Productivity, technology and efficiency of de novo banks: A counter evidence from Turkey pp. 427-442
- İhsan Işık
- Belief asymmetry and gains from acquisitions pp. 443-460
- George Alexandridis, Antonios Antoniou and Huainan Zhao
- The wealth effects of cross-border spinoffs pp. 461-476
- Oneil Harris and Charmaine Glegg
- Forecasting gold price changes: Rolling and recursive neural network models pp. 477-487
- Antonino Parisi, Franco Parisi and David Díaz
- How useful is intraday data for evaluating daily Value-at-Risk?: Evidence from three Euro rates pp. 488-503
- David G. McMillan, Alan E.H. Speight and Kevin P. Evans
2008, volume 18, articles 4
- International influences on asset markets pp. 291-292
- Brian Lucey
- Equity portfolio diversification under time-varying predictability: Evidence from Ireland, the US, and the UK pp. 293-312
- Massimo Guidolin and Stuart Hyde
- Market integration: A risk-budgeting guide for pure alpha investors pp. 313-327
- Juliana Caicedo-Llano and Thomas Dionysopoulos
- The credit spread dynamics of Latin American euro issues in international bond markets pp. 328-345
- Kannan Thuraisamy, Gerard L. Gannon and Jonathan Batten
- American depositary receipts: Asia-Pacific evidence on convergence and dynamics pp. 346-368
- Haiqiang Chen, Choi, "Paul" Moon Sub and Hyunseob Kim
- The influence of differences in accounting standards on empirical pricing models: An application to the Fama-French model pp. 369-388
- Javier Gómez Biscarri and German Lopez Espinosa
- Equity premia in emerging markets: National characteristics as determinants pp. 389-404
- Raj Aggarwal and John Goodell
- Does the value of recommendations depend on the level of optimism? A country-based analysis pp. 405-426
- Marina Balboa, Juan Carlos Gomez-Sala and Germán López-Espinosa
2008, volume 18, articles 3
- The extreme-value dependence of Asia-Pacific equity markets pp. 197-208
- Stelios Bekiros and Dimitris Georgoutsos
- The long-term performance of Hong Kong share-only and unit initial public offerings (IPOs) pp. 209-228
- Khelifa Mazouz, Brahim Saadouni and Shuxing Yin
- The effect of managerial bonus plans on corporate derivatives usage pp. 229-243
- Young Kim, Jouahn Nam and John Thornton
- The international evidence on the pecking order hypothesis pp. 244-260
- Bruce Seifert and Halit Gonenc
- Propping: Evidence from new share issues of Turkish business group firms pp. 261-275
- Halit Gonenc and Niels Hermes
- Policy change and lead-lag relations among China's segmented stock markets pp. 276-289
- Zhuo Qiao, Yuming Li and Wing-Keung Wong
2008, volume 18, articles 2
- R&D investments: The effects of different financial environments on firm profitability pp. 79-93
- Pasi Karjalainen
- Three countries' debt profiles: Average maturities in Mexico, Brazil, and Russia pp. 94-111
- Stéphane Colliac and Ion Lapteacru
- The Latin American exchange exposure of U.S. multinationals pp. 112-130
- A. Muller and Willem Verschoor
- Momentum profits in alternative stock market structures pp. 131-144
- Patricia Chelley-Steeley and Antonios Siganos
- Robust global mood influences in equity pricing pp. 145-164
- Michael Dowling and Brian Lucey
- Foreign exchange rate exposure and risk premium in international investments: Evidence from American depositary receipts pp. 165-179
- Sung C. Bae, Taek Ho Kwon and Mingsheng Li
- Underpricing versus gross spread: New evidence on the effect of sold shares at the time of IPOs pp. 180-196
- Salim Chahine
2008, volume 18, articles 1
- International perspectives on executive compensation pp. 1-3
- Rezaul Kabir
- Differences in pay between owner and non-owner CEOs: Evidence from Israel pp. 4-15
- Shmuel Cohen and Beni Lauterbach
- Institutional investors and director pay: An empirical study of UK companies pp. 16-29
- Min Dong and Aydin Ozkan
- EC: Board compensation and firm performance: The role of "independent" board members pp. 30-44
- Nuno Fernandes
- Is the pay-performance relationship always positive: Evidence from the Netherlands pp. 45-60
- Pieter Duffhues and Rezaul Kabir
- The economic determinants of CEO stock option compensation pp. 61-77
- Lamia Chourou, Ezzeddine Abaoub and Samir Saadi
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On this page- 2010, volume 20
-
Articles 4-5
Articles 2-3 Articles 1
- 2009, volume 19
-
Articles 5
Articles 4 Articles 3 Articles 2 Articles 1
- 2008, volume 18
-
Articles 5
Articles 4 Articles 3 Articles 2 Articles 1
Other years2024, volume 75
2024, volume 74
2024, volume 73
2024, volume 72
2023, volume 70-71
2023, volume 69
2023, volume 68
2023, volume 67
2022, volume 66
2022, volume 65
2022, volume 64
2022, volume 63
2021, volume 62
2021, volume 61
2021, volume 60
2021, volume 59
2020, volume 57-58
2020, volume 56
2020, volume 55
2020, volume 54
2019, volume 52-53
2019, volume 51
2019, volume 50
2019, volume 49
2018, volume 47-48
2018, volume 46
2018, volume 45
2018, volume 44
2017, volume 42-43
2017, volume 41
2017, volume 40
2017, volume 39
2016, volume 37-38
2016, volume 36
2016, volume 35
2016, volume 34
2015, volume 32-33
2015, volume 31
2015, volume 30
2015, volume 29
2014, volume 28
2014, volume 27
2014, volume 24
2013, volume 23
2012, volume 22
2011, volume 21
2007, volume 17
2006, volume 16
2005, volume 15
2004, volume 14
2003, volume 13
2002, volume 12
2001, volume 11
2000, volume 10
1999, volume 9
1998, volume 8
1997, volume 7
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On this page- 2010, volume 20
-
Articles 4-5
Articles 2-3 Articles 1
- 2009, volume 19
-
Articles 5
Articles 4 Articles 3 Articles 2 Articles 1
- 2008, volume 18
-
Articles 5
Articles 4 Articles 3 Articles 2 Articles 1
Other years2024, volume 75
2024, volume 74
2024, volume 73
2024, volume 72
2023, volume 70-71
2023, volume 69
2023, volume 68
2023, volume 67
2022, volume 66
2022, volume 65
2022, volume 64
2022, volume 63
2021, volume 62
2021, volume 61
2021, volume 60
2021, volume 59
2020, volume 57-58
2020, volume 56
2020, volume 55
2020, volume 54
2019, volume 52-53
2019, volume 51
2019, volume 50
2019, volume 49
2018, volume 47-48
2018, volume 46
2018, volume 45
2018, volume 44
2017, volume 42-43
2017, volume 41
2017, volume 40
2017, volume 39
2016, volume 37-38
2016, volume 36
2016, volume 35
2016, volume 34
2015, volume 32-33
2015, volume 31
2015, volume 30
2015, volume 29
2014, volume 28
2014, volume 27
2014, volume 24
2013, volume 23
2012, volume 22
2011, volume 21
2007, volume 17
2006, volume 16
2005, volume 15
2004, volume 14
2003, volume 13
2002, volume 12
2001, volume 11
2000, volume 10
1999, volume 9
1998, volume 8
1997, volume 7
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